In today’s Market 360, I’ll explain what this Middle East escalation really means for the stock market, why U.S. equities are holding up better than global markets and how to position yourself as volatility unfolds. More
Articles
From Panic to Rebound – Today’s Rollercoaster
Iran closes the Strait of Hormuz… global investment markets tank… Luke Lango with three ways this resolves… the action step to take now in your portfolio More
U.S. Strike on Iran: What Operation Epic Fury Means for Markets
Operation Epic Fury reshapes Iran's regime. We break down oil risks, market reaction, and the AI defense surge. More
NVDA Beats by 73%… Why Did It Drop? Plus, Mortgage Rates Hit Lowest Level in Three Years
NVIDIA Corporation’s (NVDA) earnings last week served as the grand finale to earnings season. The company reported 73% earnings growth, 82% operating income growth and gave a positive outlook for the future. But it didn’t rally. It fell 5% the next day. So, what happened? More
Where Wall Street Turns as War With Iran Escalates
The U.S. launches strikes in Iran… will oil hit $100?... gold pops – one of Louis Navellier’s favorite miners… the drone stock that Jonathan Rose and Luke Lango have flagged… Brian Hunt with more defense plays to consider More
Moderna Stock (MRNA): Is It a Buy Now? 7 Questions After the Crash
Moderna (MRNA) stock has shed roughly 90% of its value since its 2021 peak. When I wrote about the Moderna stock setup last week, shares sat around $50. Today they’ve nudged back to about $53 — but the core question hasn’t changed: is the market mispricing what comes next? Here are the seven questions that… More
As Volatility Flares Up Again, Strengthen Your Portfolio
Spreading investments internationally reduces reliance on the U.S. alone and can smooth overall returns over time. Plus, some markets outside the U.S. may offer cheaper valuations. More